Essex is seeking a Property Accountant to join the Property Accounting team, which works closely with Operations to manage the financial activities of each residential community and ensure timely, accurate reporting. The Property Accountant will be responsible for preparing bank reconciliations, journal entries, balance sheet reconciliations, and income and expense analytics. A candidate should have attention to detail and strong analytical, organizational, and written and verbal communication skills. What you will do: Submit complete and accurate recurring and monthly journal entries; Reconcile and complete balance sheet account reconciliations; Have a solid understanding of sub-ledger data and its impact on financial statements; Prepare bank reconciliations in a timely manner; Ensure the clearing of checks, deposits, and receipts on a daily basis; Review the accuracy and completeness of monthly rent postings; Research, analyze, and provide meaningful and accurate information and report as required; Work with the team lead to provide variance explanations and account information as required; Communicate professionally with community managers; Assist with other ad hoc requests and reports as needed; Assist in preparing Joint Venture reporting and its requirements; Ensure that checks received are timely deposited to the bank and to the correct bank account; Assist with internal and external audit requests as needed. What you will bring to the table: Bachelor's degree in accounting or related field; 3+ years of multi-family property management accounting experience or relevan
Essex is seeking a Property Accountant to join the Property Accounting team, which works closely with Operations to manage the financial activities of each residential community and ensure timely, accurate reporting. The Property Accountant will be responsible for preparing bank reconciliations, journal entries, balance sheet reconciliations, and income and expense analytics. A candidate should have attention to detail and strong analytical, organizational, and written and verbal communication skills. What you will do: Submit complete and accurate recurring and monthly journal entries; Reconcile and complete balance sheet account reconciliations; Have a solid understanding of sub-ledger data and its impact on financial statements; Prepare bank reconciliations in a timely manner; Ensure the clearing of checks, deposits, and receipts on a daily basis; Review the accuracy and completeness of monthly rent postings; Research, analyze, and provide meaningful and accurate information and report as required; Work with the team lead to provide variance explanations and account information as required; Communicate professionally with community managers; Assist with other ad hoc requests and reports as needed; Assist in preparing Joint Venture reporting and its requirements; Ensure that checks received are timely deposited to the bank and to the correct bank account; Assist with internal and external audit requests as needed. What you will bring to the table: Bachelor's degree in accounting or related field; 3+ years of multi-family property management accounting experience or relevan
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